2024 RMIF Annual General Meeting

News

July 15, 2024

RMIF Monthly Distribution and Net Asset Value for June 2024

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.446 per unit for the month of June 2024 payable [...]

July 2, 2024

Romspen Mortgage Investment Fund Announces 2023 Annual Report

Romspen is pleased to announce the Romspen Mortgage Investment Fund results for the year ended December 31, 2023. The 2023 Romspen Mortgage Investment Fund’s (RMIF) Annual Report can be viewed online [...]

June 20, 2024

RUSMIF Monthly Distribution and Net Asset Value for May 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.048 per unit and a net asset value of US $10.00 per unit for the month of May [...]

June 17, 2024

RMIF Monthly Distribution and Net Asset Value for May 2024

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.460 per unit for the month of May 2024 payable [...]

May 21, 2024

RUSMIF Monthly Distribution and Net Asset Value for April 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.066 per unit and a net asset value of US $10.00 per unit for the month of April [...]

May 17, 2024

RMIF Unitholder Update – May 2024

Since its inception, Romspen has focused on preserving investor capital and generating consistent monthly distributions. Our core strategy is to fund first mortgage loans secured by a diversified portfolio of real [...]

May 16, 2024

RMIF Monthly Distribution and Net Asset Value for April 2024

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.479 per unit for the month of April 2024 payable [...]

April 22, 2024

RUSMIF Monthly Distribution and Net Asset Value for March 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.068 per unit and a net asset value of US $10.00 per unit for the month of March

April 15, 2024

RMIF Monthly Distribution and Net Asset Value for March 2024

The Trustees of the Romspen Mortgage Investment Fund (RMIF) have announced a distribution of $0.02 per unit and a net asset value of $9.681 per unit for the month of March 2024 payable [...]

March 20, 2024

RUSMIF Monthly Distribution and Net Asset Value for February 2024

Romspen US Mortgage Investment Fund has announced a distribution of US $0.062 per unit and a net asset value of US $10.00 per unit for the month of February [...]

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